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FY 2025/2026 Final Budget Update
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Requested Action(s)
recommendation
This item is for informational purposes only. No further action is required.
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Financial Impact:
As listed
Background Information:
Attached is a spreadsheet proving the final revenues and expenditures for fiscal year July 1, 2025 - June 30, 2026.
Revenue
44030 Interest- All interest revenue has been posted. Agency staff budgeted interest revenue on the unrestricted retained earnings fund balance based upon the Tehama County Auditor-Controller’s recommendation.
461001 Gate Fees- Represents a one year of gate fee revenues.
461005 Hazardous Waste Fees -Represents HHW business fees, donations made to the used oil collection facility (ABOPS) and Ag Oil Facility, and PaintCare reimbursements for our REAP paint reuse program.
471120 Misc Revenue- Represents grazing lease fees and reimbursement for illegally dumped mattresses and box springs recovered through the Agency’s Illegal Dumping and Litter Abatement Program.
461070 Interfund Revenue - These are direct expenses for personnel costs associated with grant funding. Revenue at year end is higher than anticipated due to the Agency being awarded funding that was utilized to offset personnel costs associated with implementing mandatory programs.
Expenditures
Salary/Wages (51010), Overtime (51012), PERS (51020), OASDI (51021), Group Insurance (51030), and Unemployment Insurance (51031) take into consideration normal step increases at anniversary dates and hiring a new employee.
51040 Workers Compensation decreased $699.89 over the previous fiscal year.
53150 Insurance includes payment of crime, property, liability and pollution liability premiums.
53200 Membership & Dues- Expenses include annual membership dues to the California Product Stewardship Council (CPSC), Rural Counties’ Environmental Services Joint Powers Authority (ESJPA), Solid Waste Association of North America (SWANA) and the Corning Chamber of Commerce.
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